Earnings and expenses of each Federal Reserve Bank and of the system as a whole for the calendar year 1918-Continued. CURRENT EXPENSES. Miscellaneous charges account note issues. Furniture and equipment... Earnings and expenses of each Federal Reserve Bank and of the system as a whole for the calendar year 1918-Continued. PROFIT AND LOSS ACCOUNT OF EACH FEDERAL RESERVE BANK AND OF THE SYSTEM AS A WHOLE FOR THE CALENDAR YEAR 1918. Boston. New York. Philadel- Cleve Richphia. land. mond. Atlanta. Chicago. St. Louis. Minne- Kansas apolis. City. Dallas. San Francisco. Total. 3,505, 180 12, 137, 138 $4,475,195 $25,314,736 $4,357,740 $5,226,864 $2,979,048 $2,293,058 88,481,747 $2,676,828 $2,049,954 $3,451,936 $2,089,526 $4,187,785 $67, 534,417 970,015 2,680, 703 1,086,916 992, 185 643,820 627, 473 1,650, 675 726,021 464, 408 689,228 535,424 1,070,370 3,505, 180 22,634,033 3, 270, 824 4, 234, 679 2,335, 228 1,665, 585 6,831,072 1,950, 807 1,585, 546 2,762,708 1,554, 102 220,238 132,311 293, 407 230.338 55, 116, 979 1, 158, 715 3, 117, 215 205,736 76,685 22,634,033 3,491,062 4,366,990 2,335, 228 1,665,585 6,831,072 2,181, 145 1,585, 546 3,056, 115 1,759, 838 3. 193,900 | 56,605,694 21.662,917 3, 192, 327 4,268, 107 2,312.030 1,652,473 6,805,081 2,008,148 1,545,847 1,195,026 583,983 716, 107 232, 432 182,473 604,635 404,838 168, 103 2,921,000 20,467,891 2, 60S, 344 3,552.000 2.079.598 1.470.000 200,446 1,603, 310 1,377,744 2,421,426 1,184, 408 2.448,174 48.334,341 Earnings and expenses of each Federal Reserve Bank and of the system as a whole for the calendar year 1918-Continued. FISCAL AGENT DEPARTMENT DISBURSEMENTS OF EACH FEDERAL RESERVE BANK, AMOUNTS REIMBURSED AND BALANCES REIMBURSABLE AT THE END OF THE CALENDAR YEAR 1918. San FranCISCO. Total. COST OF FURNITURE AND EQUIPMENT, INCLUDING VAULTS, ALSO BANK PREMISES. 489,991 415,420 820,055 263,916 822,332 2,792, 4391, 171, 146 363, 683 1,440, 554 475, 170 871,239 720, 804 324,958 420,019 631 113 1,533,393 151,973 599,963 17,958,350 8,382,709 758,759 766,785 226,075 458,649 1,261, 885 450,342 150, 212 451, 220 509, 140 933, 435 9,573,641 1 Exclusive of $658 representing cost of Federal Reserve notes in transit to branches. Earnings and current expenses, by months, for the calendar year 1918, of each Federal Reserve Bank and of the system as a whole. EARNINGS. $3,486, 814 209,376 82,443 281, 121 April. 152, 822 143,098 92,314 274, 298 98,726 219, 174 366,369 1,838, 393 226, 898 133, 235 3,356, 089 79,780 148,032 May. 339, 897 195,000 107,067 263, 715 120,035 255, 202 510,314 3,975, 167 1,949, 912 189,521 256, 525 109,530 245, 115 June. 330,207 226, 812 135, 677 323, 463 123,881 233,689 July. 1,964,753 544,357 292,353 180, 044 4,418, 367 328,261 138,007 287,308 455, 418 248,867 127,786 153,537 258, 778 546, 379 1,828, 034 206, 413 4,713, 083 331,912 August. 510, 415 158,683 292, 166 265,603 146, 696 344,092 2,085, 662 154, 957 818, 756 264, 850 262,522 4,900, 670 370,339 September. 407,991 509, 010 234, 198 344,592 277, 790 156,379 186, 527 335,374 884,659 5,698, 160 2,634,482 211,371 .411, 267 458, 327 250, 148 337,747 October. 278, 659 512, 690 247,396 188, 137 2,825, 751 938,386 410, 053 November. 509,593 249,923 6,055, 535 288, 150 553, 835 300, 762 302, 226 235,610 517,025 339,952 465,024 2,862, 607 1,090, 029 695, 778 330,758 December. 608,936 236,362 389,591 364, 219 549,504 2,795, 526 356, 150 263,725 564, 012 979,099 320,691 6,915,977 7,918, 524 182,225 686, 760 713, 894 364, 132 368, 696 407,645 234,711 482,721 986, 692 307,978 202, 466 371,584 265, 720 521,272 8,011,807 Total. 4,475, 195 25,314,736 4,357,740 5,226,864 2,979, 048 2,293, 058 8,481, 747 2,676,828 2,049,954 3,451,936 2,089,526 4,187,785 67,584, 417 Dallas. San Fran- Total. January. $33,030 $150,095 $30,962 $63,628 $21,523 38, 017 $17,832 154,282 $51,281 $28,236 41, 460 March 59,966 $21,829 47,763 28, 292 $41,816 16,821 $19,517 $37,456 147, 036 54, 167 42,992 28,301 $517,205 19,596 April. 66,183 39,754 40,671 40,698 19, 869 20,034 37,282 141, 295 65,471 May. 38,567 33,221 965 22,814 538,916 40,006 45,941 41,376 139, 873 58,766 June.. 72,779 36,609 205, 851 19,546 18, 177 22,725 123, 181 30.416 26,031 46,458 601, 144 37, 401 July. 154, 477 266,542 89,769 23,532 47,620 34, 279 645, 314 76,959 23,667 41, 607 50,775 48, 791 35,885 23,333 238, 062 120,000 65,987 August. 43,954 37,790 657,390 69,645 41,043 52,426 188, 137 26, 891 30, 135 47, 107 29,472 129,409 61,274 47,058 47,710 September. 72,049 31,326 1, 107, 129 47,537 60,994 79,531 65, 578 58.452 214,376 142, 255 94,415 45,731 56,453 October 63,421 41,607 97,061 57,444 55,712 58,034 41,599 271, 419 151,448 60, 441 73,055 86,349 November. 71, 440 51,284 62,302 46,536 53,959 79,316 49,545 312,784 December. 57, 787 153,559 70,394 73,854 91, 880 74,886 38,697 57,596 238,066 568,867 64,802 352,656 152, 427 49, 777 68, 685 52,752 206, 270 36,039 167,666 65,542 214,170 42,283 417,678 229,954 119,383 129,365 134,076 Total cur 64,637 390,013 911,771 3, 168, 164 rent ex penses.. 970, 015 2,680,703 1,086, 916 992, 185 643, 820 627,473 1,650,675 726,021 464,408 689,228 535,424 1,070,570 12, 137, 438 Exhibit I.-RECEIPTS AND DISBURSEMENTS OF THE FEDERAL RESERVE BOARD. There is here given a statement of receipts and expenditures of the Federal Reserve Board in 1918. The total expenses of the Board for the year are shown on the detailed statement of commitments to have been $427,696.89. Unexpended balance Jan. 1, 1918 Assessments, 1918...... RECEIPTS. Transfer from "Expenses, Trading With the Enemy Act," Federal Transfer from "Expenses, Trading with the Enemy Act," Treasury De partment. Bulletin, subscriptions to.. Reimbursements.. Miscellaneous.. Total available......... $16, 504. 44 382,081. 31 10,000.00 2,500.00 2, 049. 14 24, 207.32 2. 152. 26 439, 491.47 |